Position Overview
**Key Responsibilities**
β’ Process retirement savings plan cash flow transactions
β’ Maintain investment database
β’ Interact with our trading partners
β’ Obtain files and import records
β’ Reconcile plan assets to make sure our system matches what is tracked externally
β’ Monitor daily transactions, such as fund transfers and data collection
β’ Handle benefit payments and cash deposits accurately and timely
**Qualifications**
**Knowledge, Skills, and Abilities**
β’ Excellent problem-solving and critical-thinking ability
β’ Show initiative and be proactive when necessary
β’ Be highly organized, electronically and with paper
β’ Quality-driven with a strong sense of accountability
β’ Diagnose problems and offer resolution
β’ Communicate effectively, both verbally and in writing
β’ Be open and flexible in a dynamic environment focused on continuous improvement...